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GuruFocus Financial Strength Rank measures how strong a company’s financial situation is. It is based on these factors

1. The debt burden that the company has as measured by its Interest coverage (current year).
2. Debt to revenue ratio. The lower, the better
3. Altman Z-score.

A company ranks high with financial strength is likely to withstand any business slowdowns and recessions.

Financial Strength : 6/10

vs
industry
vs
history
Cash to Debt 3.13
AVV's Cash to Debt is ranked lower than
63% of the 142 Companies
in the Global Insurance - Diversified industry.

( Industry Median: 235.61 vs. AVV: 3.13 )
Ranked among companies with meaningful Cash to Debt only.
AVV' s 10-Year Cash to Debt Range
Min: 1.24  Med: 10000.00 Max: No Debt
Current: 3.13
Equity to Asset 0.04
AVV's Equity to Asset is ranked lower than
98% of the 142 Companies
in the Global Insurance - Diversified industry.

( Industry Median: 0.23 vs. AVV: 0.04 )
Ranked among companies with meaningful Equity to Asset only.
AVV' s 10-Year Equity to Asset Range
Min: 0.03  Med: 0.03 Max: 0.04
Current: 0.04
0.03
0.04
Interest Coverage 5.75
AVV's Interest Coverage is ranked lower than
88% of the 116 Companies
in the Global Insurance - Diversified industry.

( Industry Median: 10000.00 vs. AVV: 5.75 )
Ranked among companies with meaningful Interest Coverage only.
AVV' s 10-Year Interest Coverage Range
Min: 0.75  Med: 10000.00 Max: 9999.99
Current: 5.75
0.75
9999.99
F-Score: 3
GuruFocus Profitability Rank ranks how profitable a company is and how likely the company’s business will stay that way. It is based on these factors:

1. Operating Margin
2. Trend of the Operating Margin (5-year average). The company with an uptrend profit margin has a higher rank.
••3. Consistency of the profitability
4. Piotroski F-Score
5. Predictability Rank•

The maximum rank is 10. A rank of 7 or higher means a higher profitability and may stay that way. A rank of 3 or lower indicates that the company has had trouble to make a profit.

Profitability Rank is not directly related to the Financial Strength Rank. But if a company is consistently profitable, its financial strength will be stronger.

Profitability & Growth : 3/10

vs
industry
vs
history
Operating margin (%) 5.75
AVV's Operating margin (%) is ranked lower than
70% of the 142 Companies
in the Global Insurance - Diversified industry.

( Industry Median: 10.25 vs. AVV: 5.75 )
Ranked among companies with meaningful Operating margin (%) only.
AVV' s 10-Year Operating margin (%) Range
Min: -12.23  Med: 3.63 Max: 6.12
Current: 5.75
-12.23
6.12
Net-margin (%) 3.79
AVV's Net-margin (%) is ranked lower than
67% of the 143 Companies
in the Global Insurance - Diversified industry.

( Industry Median: 6.88 vs. AVV: 3.79 )
Ranked among companies with meaningful Net-margin (%) only.
AVV' s 10-Year Net-margin (%) Range
Min: -7.19  Med: 2.37 Max: 5.8
Current: 3.79
-7.19
5.8
ROE (%) 11.09
AVV's ROE (%) is ranked higher than
60% of the 142 Companies
in the Global Insurance - Diversified industry.

( Industry Median: 9.47 vs. AVV: 11.09 )
Ranked among companies with meaningful ROE (%) only.
AVV' s 10-Year ROE (%) Range
Min: -29.2  Med: 8.82 Max: 24.24
Current: 11.09
-29.2
24.24
ROA (%) 0.40
AVV's ROA (%) is ranked lower than
80% of the 143 Companies
in the Global Insurance - Diversified industry.

( Industry Median: 1.98 vs. AVV: 0.40 )
Ranked among companies with meaningful ROA (%) only.
AVV' s 10-Year ROA (%) Range
Min: -1.1  Med: 0.46 Max: 0.79
Current: 0.4
-1.1
0.79
Revenue Growth (3Y)(%) 3.60
AVV's Revenue Growth (3Y)(%) is ranked lower than
55% of the 110 Companies
in the Global Insurance - Diversified industry.

( Industry Median: 5.70 vs. AVV: 3.60 )
Ranked among companies with meaningful Revenue Growth (3Y)(%) only.
AVV' s 10-Year Revenue Growth (3Y)(%) Range
Min: 0  Med: 0.00 Max: 22.4
Current: 3.6
0
22.4
EBITDA Growth (3Y)(%) 40.50
AVV's EBITDA Growth (3Y)(%) is ranked higher than
90% of the 89 Companies
in the Global Insurance - Diversified industry.

( Industry Median: 11.90 vs. AVV: 40.50 )
Ranked among companies with meaningful EBITDA Growth (3Y)(%) only.
AVV' s 10-Year EBITDA Growth (3Y)(%) Range
Min: -74  Med: -4.30 Max: 344.8
Current: 40.5
-74
344.8
EPS Growth (3Y)(%) 63.40
AVV's EPS Growth (3Y)(%) is ranked higher than
91% of the 85 Companies
in the Global Insurance - Diversified industry.

( Industry Median: 14.50 vs. AVV: 63.40 )
Ranked among companies with meaningful EPS Growth (3Y)(%) only.
AVV' s 10-Year EPS Growth (3Y)(%) Range
Min: -70  Med: -11.35 Max: 280.3
Current: 63.4
-70
280.3
» AVV's 10-Y Financials

Financials


Revenue & Net Income
Equity & Asset
Oprt. Cash Flow & Free Cash Flow

» Details

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Preferred stocks of Aviva PLC

SymbolPriceYieldDescription
AVV26.767.718 1/4 % Capital Secs 2011-1.12.41 Subord
AV.A.UK1.396.328.75% Cum.Irred.Pref.Shs
AV.B.UK1.316.388.375% Cum.Irred.Pref.Shs

Ratios

vs
industry
vs
history
P/E(ttm) 9.73
AVV's P/E(ttm) is ranked higher than
69% of the 119 Companies
in the Global Insurance - Diversified industry.

( Industry Median: 12.40 vs. AVV: 9.73 )
Ranked among companies with meaningful P/E(ttm) only.
AVV' s 10-Year P/E(ttm) Range
Min: 5.1  Med: 10.18 Max: 66.53
Current: 9.73
5.1
66.53
Forward P/E 9.87
AVV's Forward P/E is ranked higher than
61% of the 46 Companies
in the Global Insurance - Diversified industry.

( Industry Median: 10.50 vs. AVV: 9.87 )
Ranked among companies with meaningful Forward P/E only.
N/A
PE(NRI) 10.10
AVV's PE(NRI) is ranked higher than
63% of the 119 Companies
in the Global Insurance - Diversified industry.

( Industry Median: 12.40 vs. AVV: 10.10 )
Ranked among companies with meaningful PE(NRI) only.
AVV' s 10-Year PE(NRI) Range
Min: 4.85  Med: 11.59 Max: 34.47
Current: 10.1
4.85
34.47
P/B 1.10
AVV's P/B is ranked higher than
53% of the 141 Companies
in the Global Insurance - Diversified industry.

( Industry Median: 1.15 vs. AVV: 1.10 )
Ranked among companies with meaningful P/B only.
AVV' s 10-Year P/B Range
Min: 0.39  Med: 0.99 Max: 2
Current: 1.1
0.39
2
P/S 0.33
AVV's P/S is ranked higher than
85% of the 143 Companies
in the Global Insurance - Diversified industry.

( Industry Median: 1.05 vs. AVV: 0.33 )
Ranked among companies with meaningful P/S only.
AVV' s 10-Year P/S Range
Min: 0.14  Med: 0.27 Max: 0.64
Current: 0.33
0.14
0.64
EV-to-EBIT -0.03
AVV's EV-to-EBIT is ranked lower than
197% of the 114 Companies
in the Global Insurance - Diversified industry.

( Industry Median: 7.81 vs. AVV: -0.03 )
Ranked among companies with meaningful EV-to-EBIT only.
AVV' s 10-Year EV-to-EBIT Range
Min: -14.3  Med: 1.10 Max: 60.1
Current: -0.03
-14.3
60.1
Shiller P/E 28.11
AVV's Shiller P/E is ranked lower than
85% of the 60 Companies
in the Global Insurance - Diversified industry.

( Industry Median: 13.70 vs. AVV: 28.11 )
Ranked among companies with meaningful Shiller P/E only.
AVV' s 10-Year Shiller P/E Range
Min: 3.4  Med: 9.51 Max: 269.5
Current: 28.11
3.4
269.5
Days Sales Outstanding 92.93
AVV's Days Sales Outstanding is ranked lower than
78% of the 23 Companies
in the Global Insurance - Diversified industry.

( Industry Median: 49.75 vs. AVV: 92.93 )
Ranked among companies with meaningful Days Sales Outstanding only.
AVV' s 10-Year Days Sales Outstanding Range
Min: 50.01  Med: 72.54 Max: 185.04
Current: 92.93
50.01
185.04

Dividend & Buy Back

vs
industry
vs
history
Dividend Yield 7.71
AVV's Dividend Yield is ranked higher than
74% of the 224 Companies
in the Global Insurance - Diversified industry.

( Industry Median: 4.17 vs. AVV: 7.71 )
Ranked among companies with meaningful Dividend Yield only.
AVV' s 10-Year Dividend Yield Range
Min: 2.68  Med: 7.26 Max: 20.94
Current: 7.71
2.68
20.94
Dividend growth (3y) -19.10
AVV's Dividend growth (3y) is ranked lower than
85% of the 47 Companies
in the Global Insurance - Diversified industry.

( Industry Median: 5.60 vs. AVV: -19.10 )
Ranked among companies with meaningful Dividend growth (3y) only.
AVV' s 10-Year Dividend growth (3y) Range
Min: -19.1  Med: 0.00 Max: 9.9
Current: -19.1
-19.1
9.9
Yield on cost (5-Year) 3.91
AVV's Yield on cost (5-Year) is ranked lower than
79% of the 223 Companies
in the Global Insurance - Diversified industry.

( Industry Median: 4.27 vs. AVV: 3.91 )
Ranked among companies with meaningful Yield on cost (5-Year) only.
AVV' s 10-Year Yield on cost (5-Year) Range
Min: 1.36  Med: 3.68 Max: 10.62
Current: 3.91
1.36
10.62
Share Buyback Rate -0.50
AVV's Share Buyback Rate is ranked higher than
52% of the 64 Companies
in the Global Insurance - Diversified industry.

( Industry Median: -0.50 vs. AVV: -0.50 )
Ranked among companies with meaningful Share Buyback Rate only.
AVV' s 10-Year Share Buyback Rate Range
Min: 60.4  Med: -3.20 Max: -201.3
Current: -0.5

Valuation & Return

vs
industry
vs
history
Earnings Yield (Greenblatt) (%) -3333.30
AVV's Earnings Yield (Greenblatt) (%) is ranked lower than
100% of the 133 Companies
in the Global Insurance - Diversified industry.

( Industry Median: 11.90 vs. AVV: -3333.30 )
Ranked among companies with meaningful Earnings Yield (Greenblatt) (%) only.
AVV' s 10-Year Earnings Yield (Greenblatt) (%) Range
Min: -3333.3  Med: 33.70 Max: 3725.9
Current: -3333.3
-3333.3
3725.9
Forward Rate of Return (Yacktman) (%) 17.79
AVV's Forward Rate of Return (Yacktman) (%) is ranked higher than
52% of the 56 Companies
in the Global Insurance - Diversified industry.

( Industry Median: 17.70 vs. AVV: 17.79 )
Ranked among companies with meaningful Forward Rate of Return (Yacktman) (%) only.
AVV' s 10-Year Forward Rate of Return (Yacktman) (%) Range
Min: -6.5  Med: 26.30 Max: 54.7
Current: 17.79
-6.5
54.7

Business Description

Industry: Insurance » Insurance - Diversified
Compare:BRK.A, ALIZF, AXAHY, ZFSVF, AIZ » details
Traded in other countries:AV.A.UK, AV..UK, AV.B.UK, GU8E.Germany, GU8.Germany, AIVAF.USA,
Aviva PLC is engaged in the provision of financial products and services, with long-term insurance and savings, general and health insurance, and fund management products and services. Its business is managed on a geographic basis through a regional management structure based on four regions: UK, Europe, North America and Asia Pacific. The Group's operating segments include Life insurance and savings business, General insurance and health insurance and Fund management. Long-term insurance and savings business offers protection, bonds, savings and pension products. Its protection products include life insurance, mortgage protection, specified illness and guaranteed and whole life cover products. General insurance and health insurance segment offers property, motor, travel, farm and business insurance and its health insurance business provides products for both the personal and company sector. The Company's Fund Management business, provides fund management services to its long-term insurance and savings, and general insurance operations, as well as to third-party investors. Its Europe activities are long-term business in France, Ireland, Italy, Poland and Spain, and general insurance in France, Ireland and Italy. The Group's activities in North America principally comprise the long-term business operations in the US and general insurance business operation in Canada. The Group's activities in Asia Pacific principally comprise the long-term business operations in China, India, Singapore, Hong Kong, Sri Lanka, Taiwan, Malaysia, South Korea and Indonesia.
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